Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
CPR Invest - Reactive - I EUR - Acc
LU1103787930
thesaurierend
EUR
CPR Asset Management 131'071.4375
03.06.2024
+1.06% +5.35% +2.92% - 0.27
5.94%
CPR Croissance Réactive - R
FR0013294626
thesaurierend
EUR
CPR Asset Management 112.8000
03.06.2024
+1.08% +5.48% +3.26% +14.73% 0.29
5.95%
CPR Croissance Réactive - I
FR0010965137
thesaurierend
EUR
CPR Asset Management 186'396.6094
03.06.2024
+1.10% +5.53% +3.49% - 0.30
5.96%
CPR Global Allocation ISR - P
FR0011144070
ausschüttend
EUR
CPR Asset Management 143.7900
03.06.2024
+0.35% +4.61% +4.01% - 0.18
4.77%
CPR Global Allocation ISR - I
FR0011144088
ausschüttend
EUR
CPR Asset Management 1'573.7000
03.06.2024
+0.53% +5.38% +6.33% - 0.34
4.74%
CPR Invest - Dynamic - F EUR - Acc
LU1291159553
thesaurierend
EUR
CPR Asset Management 1'615.1000
04.06.2024
+1.37% +12.73% +13.08% +39.64% 1.07
8.4%
CPR Invest - Dynamic - A EUR - Dist
LU1203019853
ausschüttend
EUR
CPR Asset Management 1'252.9900
04.06.2024
+1.57% +13.63% +15.82% +45.47% 1.18
8.41%
CPR Invest - Dynamic - A EUR - Acc
LU1203020190
thesaurierend
EUR
CPR Asset Management 1'474.9100
04.06.2024
+1.57% +13.63% +15.85% - 1.18
8.41%
CPR Croissance Dynamique - P
FR0010097642
thesaurierend
EUR
CPR Asset Management 122.6900
04.06.2024
+1.61% +13.85% +16.51% - 1.19
8.49%
CPR Invest - Dynamic - R EUR - Acc
LU1530898763
thesaurierend
EUR
CPR Asset Management 158.1000
04.06.2024
+1.76% +14.48% +18.38% +50.19% 1.28
8.41%
CPR Invest - Dynamic - I EUR - Acc
LU1203020356
thesaurierend
EUR
CPR Asset Management 158'221.3125
04.06.2024
+1.76% +14.53% +18.62% - 1.28
8.41%
CPR Croissance Dynamique - R
FR0013294618
thesaurierend
EUR
CPR Asset Management 153.6300
04.06.2024
+1.79% +14.66% +18.99% +51.36% 1.29
8.49%
CPR Croissance Dynamique - I
FR0010965129
thesaurierend
EUR
CPR Asset Management 25'757.0898
04.06.2024
+1.80% +14.72% +19.17% - 1.30
8.45%